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    Showing items 176-200 of 1056. (43 Page(s) Totally)
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    DateTitleAuthors
    2008 依序選擇四字串使第二字串或第四字串先出現的後選優勢探討 謝松樺; Hsieh, Sung Hua
    1991 保險事業風險交互擔保之模型 蘇懿
    1990 保險理賠之隨機性研究 鄭淑如
    2004 信用損失分配之尾端機率估計-同質法與拉普拉斯近似法之比較 蔡旻樺
    2004 信用損失分配之尾端機率估計--同質法與鞍點近似法之比較 紀宛汝
    2004 信用損失分配之尾端機率估計-大樣本投資組合與區型塊投資組合 吳秉昭
    2009 信用違約機率的聯合校準檢定 郭書廷; Kuo,Shu Ting
    2004 信用風險尾巴機率之研究 楊立民
    2010 修勻與小區域人口之研究 金碩; Jin, Shuoh
    1998 個案無反應資料之各種加權方法分析比較 劉淑芳; Liou, Shue-Fang
    1992 偏差樣本對區間估計的影響 邱瓊慧; QIU, QIONG-HUI
    2011 偏常態因子信用組合下之效率估計值模擬 林永忠; Lin, Yung Chung
    2013 偏斜常態分配下損失管制圖之設計 盧尚文
    2020 偏斜常態分配的隨機誤差與隱藏馬可夫鏈建構選擇權定價模型——以標準普爾500指數為例 王楷文; Wang, Kai-Wen
    2011 傘型迴歸函數估計 林似蓉
    1973 備件系統可靠度之研究 胡經芳
    1990 價量分析之理論實務與實證 蕭必偉
    2012 充分維度縮減於整體性檢定之應用 徐碩亨; Hsu, Shuo Heng
    1980 先驗資訊之運用與變異成份之推定 張正奇; Zhang, Zheng-Qi
    2013 全民健保資料庫分析:重大傷病及癌症之研究 蘇維屏; Su Wei Ping
    2005 全製程過度調整下之變動抽樣時間 柯芝穎
    1994 兩個二段式指數分配比較之研究 賴武志; Lai, Wu Chih
    1998 兩個等級產品在相依製程下的管制 楊達鑫
    1980 兩型模式間變點之統計推論 鄒序琪; Zou, Xu-Qi
    2012 兩段迴歸結合蒙地卡羅模擬對可轉債定價之研究 董恆元; Tung, Heng Yuan

    Showing items 176-200 of 1056. (43 Page(s) Totally)
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